Lumen Technologies, Inc. - Equity (LUMN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Equity
Shares, excl. options Q2 2024
11.7M
Holdings value Q2 2024
$12.8M
Value change Q2 2024
+$2.97M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
1
Number of sells Q2 2024
0
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 11.7M $12.8M +$2.97M $1.10 2
2024 Q1 8.96M $14M +$3.3M $1.56 3
2023 Q4 6.85M $12.5M +$1.25M $1.84 3
2023 Q3 6.16M $8.67M +$2.2M $193.52 2
2023 Q2 4.6M $10.4M +$1.44M $190.38 2
2023 Q1 3.96M $10.5M +$1.65M $167.99 2
2022 Q4 3.23M $16.9M -$2.03M $5.22 3
2022 Q3 3.47M $25.3M -$3.79M $7.28 4
2022 Q2 3.94M $43M -$2.38M $10.91 7
2022 Q1 4.15M $46.8M -$5.49M $11.27 7
2021 Q4 4.64M $58.3M -$5M $12.55 8
2021 Q3 5.04M $62.5M -$7.3M $12.39 8
2021 Q2 5.62M $76.4M -$29.3M $13.59 14
2021 Q1 7.84M $104M -$7.81B $13.35 29
2020 Q4 809M $7.88B -$637M $9.75 581
2020 Q3 872M $8.8B +$220M $10.09 653
2020 Q2 852M $8.55B -$14.2M $10.03 615
2020 Q1 858M $8.12B +$67.4M $9.46 635
2019 Q4 846M $11.2B +$329M $13.21 675
2019 Q3 821M $10.2B +$219M $12.48 653
2019 Q2 804M $9.46B -$54.5M $11.76 654
2019 Q1 815M $9.77B -$138M $11.99 695
2018 Q4 820M $12.4B -$83.1M $15.15 714
2018 Q3 820M $17.4B -$456M $21.20 732
2018 Q2 843M $15.7B -$302M $18.64 707
2018 Q1 859M $14.1B -$1.06B $16.43 685
2017 Q4 921M $15.4B +$7.75B $16.68 685
2017 Q3 450M $8.5B -$166M $18.90 601
2017 Q2 457M $10.9B +$780M $23.88 635
2017 Q1 426M $10B +$1.46B $23.57 630
2016 Q4 404M $9.61B -$164M $23.78 643
2016 Q3 406M $11.1B +$139M $27.43 614
2016 Q2 401M $11.6B -$175M $29.01 627
2016 Q1 407M $13B +$537M $31.96 637
2015 Q4 390M $9.81B -$86.2M $25.16 592
2015 Q3 391M $9.82B -$725M $25.12 573
2015 Q2 424M $12.5B -$285M $29.38 626
2015 Q1 433M $15B +$497M $34.55 648
2014 Q4 418M $16.5B +$135M $39.58 647
2014 Q3 415M $17B -$595M $40.89 617
2014 Q2 430M $15.6B +$87.9M $36.20 604
2014 Q1 427M $14B -$301M $32.84 586